趨勢檢驗 的英文怎麼說

中文拼音 [shìjiǎnyàn]
趨勢檢驗 英文
trend test
  • : 動詞1. (快走) hasten; hurry along 2. (向某個方向發展; 趨向) tend towards; tend to become
  • : 名詞1 (勢力) power; force; influence 2 (一切事物力量表現出來的趨向) momentum; tendency 3 (自...
  • : Ⅰ動詞1 (查) check up; inspect; examine 2 (約束; 檢點) restrain oneself; be careful in one s c...
  • : 動詞1. (察看; 查考) examine; check; test 2. (產生預期的效果) prove effective; produce the expected result
  • 趨勢 : trend; tendency; drift; current; tide
  • 檢驗 : checkout; test; examine; inspect; verify; survey; check;checking;testing;[英國]jerque(指檢查船舶...
  1. 2. the second part makes the granger causality test on economy increase and nominal employment and reckons the nominal employment elasticity. then it also analyzes the reason of the nominal employment elasticity trend

    第二部分對我國經濟增長和名義就業作了格蘭傑因果,並作了名義就業彈性的測算,對我國名義就業彈性的變動作了原因解析。
  2. It also studies the causes of the checkout and the flexibility of employment result. it concludes that the increase of the economy is not the granger cause of nominal employment growth, that is to say, the increase of economy in china doesn ’ t promote of the nominal employment. the decline of the nominal employment elasticity from 1999 is not only because of the improvement of technology, the imbalance of the industry structure, transformation of system and the policy of interest rate, but also because of the inexact statistic data which makes the real employment underestimated

    本文首先利用1978年至2003年的有關數據對我國經濟增長與名義就業的關系作了分析:根據有關計量經濟學理論,對數據作了平穩性、協整和格蘭傑因果,用建立回歸模型的方法測算出名義就業彈性,並對結果和就業彈性測算結果作了原因解析,認為我國的經濟增長不是名義就業增長的格蘭傑原因,即我國的經濟增長沒有促進名義就業的增長,我國的名義就業彈性自1990年以來呈下降,其原因除了技術進步、產業結構失衡、體制轉軌和利率政策外,還有由於統計的原因使得真實的就業增長被低估。
  3. The paper investigates epidemiology of aids and its prevention and control in china. it also expounds some problems which we should pay more attention to in forensic autopsy and identification

    本文對艾滋病在中國的流行、主要傳播途徑和我國艾滋病預防和控制工作等問題進行探討,闡明了法醫學屍體與鑒定工作中應該特別注意的一些問題。
  4. At the same time, the power capacity of the above mentioned antenna is preliminarily analyzed. the results show that in the pass band, their power capacities increase with the frequency on the whole, ranging from 10 ’ s kw to 100 ’ s kw. with the change of the pulse duration of microwaves, the measurement is carried out on the sensitivity of the detectors of the types wb - cd01 and 2087 - 6001 - 00, on the attenuation of the

    通過調整微波脈寬,對wb - cd01型、 2087 - 6001 - 00型等波器的靈敏度,對2082 - 4137系列和tts系列衰減器的衰減量,對rg - 142型微波電纜的衰減量進行了實測定,結果表明:在微波脈寬大於40ns時,波器靈敏度基本無變化;當微波脈寬在20 ~ 40ns時,波器靈敏度會有一定變化,變化和程度與波器的型號有關;而上述型號的衰減器和微波電纜的衰減量幾乎不受微波脈寬的影響。
  5. Derived from optical waveguide fundamentals, outstanding advantages of mfld in high s / n ratio and sensitivity were theoretically presented. to resolve inconsistent change tendencies of mode - filtered light obtained in bare core sensing system and in modified sensing system, that is, the mode - filtered light signal declines with the increase in analyte ris in bare core sensing system but increases with the increase in analyte ris in modified sensing system, we started with light energy radiation theory, and obtained the details of mfld mechanism by discussing in detail the radiant energy ' s reflection and refraction at the interface, thus establishing a mathematical model of mfld. we concluded that the inconsistent change tendencies of mode - filtered light were essentially coherent

    為了解決實中裸光纖體系與修飾光纖體系在獲取模式濾光信號上出現的不一致現象,即裸光纖體系中隨著分析對象的折射率增大,獲取的模式濾光信號呈下降,而在修飾光纖體系中分析對象的折射率增大,獲取的模式濾光信號卻是增大的,我們從光的能量輻射學入手,詳細地討論了光輻射能在傳輸路徑上的反射與透射,獲得了模式濾光信號產生的細節,以此建立了模式濾光測的新模式。
  6. Horizontal test including the random nature of corporate profits test changes, different p / e companies future profit growth capacity differences and trends

    橫向包括公司盈利變化的隨機性、不同市盈率公司未來盈利增長能力的差異和
  7. The first empirical paper sorts all the stocks according to the past accumulated abnormal return. the winner is those who perform best while the loser is those who perform worst. by reviewing the accumulated abnormal return changing tendency in both the winner and loser during testing period, the paper finds a better performance in the loser than in the winner

    實證研究一根據股票過去的累計超額收益率的高低將股票進行排序,表現最好的股票組成贏家組合,表現最差的股票組成輸家組合,考察兩組合的累計超額收益在期的變化
  8. Testing linear regression relationship via trend analysis of residuals

    基於殘差的性分析線性回歸關系
  9. To some extent, it can predict the development tendency of the locomotive water - resistant experiment system

    它在一定程度上預示著機車水阻試測的發展和方向。
  10. As the time trend function represent the impact of economic development on consumption, in the paper the semi - parametric model with deterministic time trend function is firstly used to make empirical study for cointegration test between actual consume and income per capita of chinese urban residents from 1978 to 2005, and the results show that there do exists cointegration between consume and income with income having important effects on consume, while the time trend form is not as what we usually suppose

    摘要由於確定性時間項代表了經濟發展等的因素對消費的影響,故本文首次基於帶有非參數時間項的半參數模型對我國1978 ~ 2005年的消費收入進行了協整,實證結果表明:轉軌時期我國城鎮居民人均收入與消費之間存在著長期均衡關系,收入是消費的一個重要決定因素;同時項的影響也並不是如很多文章描述的那樣具有直線形式。
  11. Through examining these implications empirically, we find that : ( 1 ) price limits may destroy the co - integration of shanghai stock index and its volume ; ( 2 ) in the short rum, price limits increase the volatility of china securities market, but in the long run, stock market volatility trends down ; ( 3 ) under the limit up and down, it increases sharply firstly and then decreases step by step for the coefficient of variation of the day returns series in china securities market

    通過實證得出如下結論: ( 1 )實行漲跌停板制度回破壞上證指數與成交量的協整關系; ( 2 )在短期內會使我國大市指數日收益率的波動增大,但在長期里波動率于下降; ( 3 )實行漲跌停板制度之後,我國證券市場大市指數日收益率的變差具有先增后減的是
  12. But, when the total water quantity is reduced 30 % of present average amount in the 2010, the total salinity of groundwater will have significant increase in the different period ( pre - summer irrigation, post - summer irrigation, pre - autumn irrigation and pre - freezing up of soil four periods ). the water quality will be likely to deteriorate ; in addition, the prediction models of soil moisture and saline concentration are established

    通過試區土壤水分、鹽分的bp與rbf模型的模擬與,預測了2005年、 2010年夏灌前、夏灌后、秋澆前與封凍前的土壤水鹽狀況,得出上壤水分隨著灌水量的減少呈下降,而土壤鹽分在淺層與中層呈現出不同的結果: oa
  13. Information boards prominently displaying non - conformances, metrics, inspection results ( e. g. spc charts, trend charts, gate charts, etc. ), action plans and status, and other results from the containment activity

    信息板顯著的顯示不一致情況,度量衡,結果(例如spc表,表,位置表等等) ,行動計劃和情況,和其他控制策略活動的結果
  14. According to the practice of control chart analysis ( cca ) in the management of coal mine safety, it is showed that the application of control chart analysis in the statistical analysis of risk indexes can scientifically judge the developing trend of risk indexes, assess the improvement or degeneration of system and verify the effectiveness of safety measures

    摘要根據實踐,介紹控制圖分析法在煤礦安全管理中的應用,將控制圖法應用於安全風險指標的統計分析可以對風險指標的發展作出科學判斷,評價系統安全狀態是否有明顯好轉或惡化,安全管理及技術措施是否有效。
  15. Based on the theory of structural breaks, we studied on the different structural breaks models in dgp, and proposed its test methods, which can distinguish unit root with structural breaks from trend stabilization with structural breaks

    本文基於結構突變理論,研究了數據生成過程中的幾種不同結構突變模式,並對結構突變的單位根過程和結構突變的穩定過程給出了不同結構突變模式的方法。
  16. Section five deals with data analysis and discussion which are divided into five steps : 1 ) the data are processed on spss ( 11. 0 ) and the forms of descriptive analysis, t - test and regression analysis are obtained ; 2 ) to understand the general distributive tendency of the data involved, descriptive analysis is made ; 3 ) an independent - sample t - test is made as well to find out the district variation in affective disorders ; 4 ) another independent - sample t - test is made to identify the gender distinctions of affective disorders ; 5 ) a regression analysis is conducted to understand the relationship between the achievements and the affective disorders

    數據分析和討論分五步進行: 1 )作出描述性統計、 t及回歸分析表; 2 )為了解所採集的數據的總體分佈,論文首先對情感障礙的數據和對學生的測試成績進行了描述性統計分析; 3 )用獨立樣本t分析了城市與農村學生英語學習時受情感影響的差異; 4 )同樣用獨立樣本t分析了男女生英語學習時受情感影響的差異; 5 )對情感障礙與考試成績作了相關分析。
  17. Then, this paper empirically tested the validation and predictive accuracy of different var risk management model in the domestic financial market. finally, with the analysis of modem financial risk management development trend and the current domestic financial risk management situation, this paper made a prospect for the application of this model in the construction of domestic financial risk management system. through the analysis, the main conclusions are as follows : ( l ) the traditional mean - variance model is the special example of the portfolio selection based on the var risk management model for the case that the returns of the portfolio are assumed to be normally distributed ; compared with the mean - variance model, the var risk management model is more comprehensive and accurate in the measurement of the portfolio risk, so based on the var model, the investors can allocate the asset more effectively. ( 2 ) the var risk management model can provide the timely and comprehensive risk information for the top risk manager, so it is very helpful to the improvement of total risk management efficiency. ( 3 ) based on the var model, the raroc performance valuation approach can reflect the real performance of the portfolio manager and provide the coherent standard for the allocation of risk limitation and the construction of the incentive compatibility constraint mechanism in the financial instiutions

    通過研究分析,本文主要得出如下結論: ( 1 )傳統的markowitz均值? ?方差模型僅僅是在資產組合收益率正態分佈假設條件下基於var風險管理模型進行資產組合選擇的特例,與均值? ?方差模型中的方差風險度量方法相比, var風險管理模型能夠更全面、更貼切地衡量資產組合的風險,且基於此模型能夠更有效地進行資產配置決策; ( 2 ) var風險管理模型能夠滿足更高層次風險管理者對風險信息的需求,有助於整體風險管理效率的提高; ( 3 )基於var風險管理模型的raroc績效評價能夠反映資產組合管理人的真實業績,從而為金融機構風險限額的分配和激勵約束機制的制定提供統一的標準; ( 4 )國內證券市場資產組合收益率服從正態分佈的假設明顯不成立,實證表明基於資產組合收益率正態分佈假設條件下的方差? ?協方差模型對國內資產組合風險的預測存在較大的偏差,由於文中證明在收益率正態分佈假設條件下基於方差? ?協方差模型進行資產組合選擇的結果等價于markowitz的均值? ?方差模型,因此,均值? ?方差模型對國內資產組合風險的預測同樣會存在著較大的偏差,而半參數var風險管理模型則能夠取得較好的預測衡量效果; ( 5 ) var風險管理模型符合未來金融風險管理的發展,基於var風險管理模型建立內容提要風險限額內控體系、風險信息披露體系和業績評價體系,並進行金融監管,將有助於國內金融機構內部風險管理方法和外部監管技術跟上國際金融風險管理的發展潮流。
  18. In recent years, var risk management model has been generally accepted by the main commercial banks, investment banks, fund management companies and the institutions of the financial supervision. today, this model has become the most popular risk - measuring approach in the world. starting from the fundmental principle of the var risk management model, this paper firstly constructed a portfolio management framework which is based on this model, and analyzed three functions of this model in the framework : asset allocation, risk management and performance valuation

    本文首先在簡要介紹和分析var風險管理模型基本思想的基礎上,基於var風險管理模型構建了統一的資產組合管理框架,探討了var風險管理模型在資產組合管理中資產配置、風險管理和業績評價的三大功能;其次,通過實證分析var風險管理模型在國內金融市場中的有效性;最後,在研究分析現代金融風險管理發展和國內金融風險管理落後現狀的基礎上,對var風險管理模型在國內金融風險管理中的應用進行展望和分析。
  19. We test the convergence with unit root test of panel data to examine the trend of china rural development regional disparity

    為了考察中國農村發展地區差距的變化,我們採用面板數據單位根的不同方法對其收斂性進行了嚴格的計量
  20. At the same time, we have solved the practical problem of the cox - stuart trend testing method, which can supply a direction for using this method in practice

    與此同時,我們解決了cox - stuart趨勢檢驗方法的實際應用問題,為它的更有效而廣泛的使用提供了特別的指導。
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